Malawi Wildlife Trust – Activity Summary 2024-5
Charity Number: 1176185
During the reporting period (01/04/24 – 31/03/25), Malawi Wildlife Trust has not undertaken any operational activity. The Trustees met to review the charity’s status and strategic direction.
At this meeting, the Board considered the current organisational context and the lack of formal activity since the previous reporting period. Trustees reaffirmed their commitment to the charity’s charitable objects and the original purpose of supporting wildlife conservation activities in Malawi.
Given the prolonged period without programme activity, the Trustees agreed that the focus for 2026 will be on analysing potential opportunities and options for future work. This analysis will include consideration of:
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The strategic objectives of the charity and how they align with current needs in wildlife conservation in Malawi;
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Potential partnerships with relevant organisations working in-country;
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Fundraising and resource development options to support future programmes;
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Governance arrangements and how best to ensure effective oversight of any future activity.
No projects were initiated or delivered during the reporting period, and no funds were expended on charitable activities apart from routine governance costs. The Trustees will continue to meet regularly to progress the agreed analysis and to determine next steps for the charity’s development.
This summary has been prepared in accordance with the Charity Commission’s guidance for annual returns and is submitted in support of the charity’s annual return for the period indicated.
Malawi Wildlife Trust
Charity number: 1176185 Receipts and Payments Account For the period: (01/04/24 – 31/03/25)
Receipts and Payments Summary
| Receipts | £ |
|---|---|
| Donations and legacies | 0 |
| Grants received | 0 |
| Investment income | 0 |
| Other income | 0 |
| Total receipts | 0 |
| Payments | £ |
|---|---|
| Charitable activities | 0 |
| Governance costs | 0 |
| Professional fees | 0 |
| Other expenditure | 0 |
| Total payments | 0 |
Net movement in funds
£ Total receipts 0 Total payments 0 Net movement in funds 0
Statement of Balances
£
Cash at bank at start of period 10,434.75
Cash at bank at end of period 10.434.75